First Eagle Investment Management LLCMDT history

Issuer:
MEDTRONIC PLC
Quarters tracked:
37 (Q1 2015Q2 2026)
Current shares:
13,783,983
Current value:
$1.08B
Peak shares:
13,783,983 (Q2 2026)
Overall change:
+1371%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202613,783,983$1.08B$78.23+3,739,288+37%
Q1 202610,044,695$870.37M$86.65+269,461+3%
Q4 20259,775,234$939.01M$96.06+40,1960%
Q3 20259,735,038$927.16M$95.24+2,8200%
Q2 20259,732,218$848.36M$87.17-83,431-1%
Q1 20259,815,649$882.03M$89.86+23,4490%
Q4 20249,792,200$782.20M$79.88+28,9100%
Q3 20249,763,290$878.99M$90.03+386,733+4%
Q2 20249,376,557$738.03M$78.71-38,5990%
Q1 20249,415,156$820.53M$87.15+5,4760%
Q4 20239,409,680$775.17M$82.38+3,320,800+55%
Q3 20236,088,880$477.13M$78.36+592,849+11%
Q2 20235,496,031$484.20M$88.10+10,6920%
Q1 20235,485,339$442.23M$80.62+3,324,768+154%
Q4 20222,160,571$167.92M$77.72+1,971,275+1041%
Q3 2022189,296$15.29M$80.75-5730%
Q2 2022189,869$17.04M$89.7500%
Q1 2022189,869$21.07M$110.9500%
Q4 2021189,869$19.64M$103.45-6180%
Q3 2021190,487$23.88M$125.35-1,640-1%
Q2 2021192,127$23.85M$124.13-32,597-15%
Q1 2021224,724$26.55M$118.13-2,275-1%
Q4 2020226,999$26.59M$117.14-2,293-1%
Q3 2020229,292$23.83M$103.92+229,292+100%
Q1 2018SOLD-1,434-100%
Q4 20171,434$116K$80.8900%
Q3 20171,434$112K$78.1000%
Q2 20171,434$127K$88.5600%
Q1 20171,434$116K$80.8900%
Q4 20161,434$102K$71.13-395,604-100%
Q3 2016397,038$34.30M$86.40-708,976-64%
Q2 20161,106,014$95.97M$86.77-727,779-40%
Q1 20161,833,793$137.53M$75.00-106,243-5%
Q4 20151,940,036$149.23M$76.92+1,940,036+100%
Q3 2015SOLD-12,735-100%
Q2 201512,735$944K$74.13-924,437-99%
Q1 2015937,172$73.09M$77.99NEW